兴业银行天天万利宝稳利6号净值型理财产品E款[季季高C款] 估值日公告

产品基本信息:

产品代码/销售代码 产品名称 成立日 到期日 期限(天) 产品类型
9K219175 兴业银行天天万利宝稳利6号净值型理财产品E款 2020-10-16 2030-10-16 3652 客户周期型净值型

估值日产品收益及净值表现如下表所示:

估值日 单位份额净值 份额累计净值 当期业绩比较基准(%)(投资周期起始日)
2022-05-31 1.05737 1.05737 -
2022-05-30 1.05737 1.05737 -
2022-05-29 1.05734 1.05734 -
2022-05-28 1.05722 1.05722 -
2022-05-27 1.05715 1.05715 -
2022-05-26 1.05705 1.05705 -
2022-05-25 1.05688 1.05688 -
2022-05-24 1.05683 1.05683 -
2022-05-23 1.05671 1.05671 -
2022-05-22 1.05659 1.05659 -
2022-05-21 1.05647 1.05647 -
2022-05-20 1.05640 1.05640 -
2022-05-19 1.05635 1.05635 -
2022-05-18 1.05623 1.05623 -
2022-05-17 1.05607 1.05607 -
2022-05-16 1.05591 1.05591 -
2022-05-15 1.05584 1.05584 -
2022-05-14 1.05572 1.05572 -
2022-05-13 1.05566 1.05566 -
2022-05-12 1.05553 1.05553 -
2022-05-11 1.05540 1.05540 -
2022-05-10 1.05530 1.05530 -
2022-05-09 1.05513 1.05513 -
2022-05-08 1.05501 1.05501 -
2022-05-07 1.05491 1.05491 -
2022-05-06 1.05483 1.05483 -
2022-05-05 1.05471 1.05471 -
2022-05-04 1.05464 1.05464 -
2022-05-03 1.05448 1.05448 -
2022-05-02 1.05442 1.05442 -
2022-05-01 1.05435 1.05435 -

本月分红情况如下表所示:

红利分配日 单位分红 超额收益(客户) 超额收益(银行)

说明:“当前业绩比较基准”为当前投资周期起始日设立的业绩比较基准。特此公告!

兴银理财

2022-06-01